Sec. 17.1. (a) Whenever the director, as a result of an inspection or otherwise, has reasonable cause to believe that a person to which this chapter is or may be applicable:
(1) is conducting business contrary to this chapter or in an unauthorized manner; or
(2) has failed, neglected, or refused to observe or comply with any order, rule, or published policy statement of the agency;
then the director may undertake any one (1) of the actions prescribed by this section.
(b) Upon learning of the possibility that a licensee is acting as described in subsection (a), the director or the director's designated representative may seek an informal meeting with the licensee. At that meeting, which shall be held at a time and place agreed to by the licensee and the director, the director or the director's designated representative shall discuss the possible violations and may enter into a consent agreement with the licensee under which the licensee agrees to undertake, or to cease, the activities that were the subject of the meeting. The consent agreement may provide for a time frame within which the licensee must be in compliance.
(c) Upon learning of the possibility that a person is acting as described in subsection (a), the director or the director's designated representative, except as otherwise provided in this subsection, shall hold a hearing to determine whether a cease and desist order should issue against a licensee or an unlicensed person undertaking activities covered by this chapter. If the director or the director's designated representative determines that the violation or the prohibited practice is likely to cause immediate insolvency or irreparable harm to depositors, the director or the director's designated representative, without notice, may issue a temporary cease and desist order requiring the person to cease and desist from that violation or practice. The order shall become effective upon service on the person and shall remain effective and enforceable pending the completion of all administrative proceedings.
(d) Upon a determination, after a hearing held by the director or the director's designated representative, that a person is acting as described in subsection (a), the director may suspend, revoke, or deny a license. If the director suspends, revokes, or denies a license, the director shall publish notice of the suspension, revocation, or denial as provided in section 17.5 of this chapter.
(e) If the director has reasonable cause to believe that a licensee is acting as described in subsection (a) and determines that immediate action without an opportunity for a hearing is necessary in order to safeguard depositors, the director may suspend a license temporarily without a hearing for a period not to exceed twenty (20) days. When a license is suspended without a hearing, the director or the director's designated representative shall grant an opportunity for a hearing as soon as possible.
As added by Acts 1979, P.L.249, SEC.12. Amended by P.L.191-1991, SEC.10; P.L.125-1997, SEC.38; P.L.145-2017, SEC.9.
Structure Indiana Code
Chapter 7. Indiana Grain Buyers and Warehouse Licensing and Bonding Law
26-3-7-1. Indiana Grain Buyers and Warehouse Licensing Agency; Employees
26-3-7-1.5. Liberal Construction
26-3-7-2.2. Determination of a Single Warehouse
26-3-7-3. Powers and Duties of Director
26-3-7-4. License; Application; Exemptions; Suspension or Revocation; Prohibited Operation
26-3-7-4.1. Renewal Application
26-3-7-5. Inspection and Certification of Scales
26-3-7-6.1. Financial Statement; Fines
26-3-7-6.3. Grain Buyers and Warehouse Licensing Agency License Fee Fund
26-3-7-6.5. Disclosure of Information; Investigations
26-3-7-7. Issuance of License or Permit; False Statements; Applicant's Qualifications
26-3-7-8.5. Licensing Requirements of Successor Owner
26-3-7-9. Bond, Cash Deposit, or Letter of Credit
26-3-7-10. Amount of Bond, Cash Deposit, Letter of Credit, or Other Surety; Deficiencies; Penalties
26-3-7-12. Insurance; Filing of Certificate; Settlement With Depositor in Case of Destruction
26-3-7-13. Additional Bond, Cash Deposit, Letter of Credit, or Insurance
26-3-7-14. Cancellation of Bond or Insurance; Approval; Notice; Suspension of License
26-3-7-16. Maintenance of Minimum Net Worth
26-3-7-16.5. Determination of Shortages; Payment of Claims; Hearings and Procedures
26-3-7-16.8. Liens on Grain Assets
26-3-7-17.1. Possible Violations; Powers of Director; Procedures
26-3-7-17.5. Notice of Suspension or Revocation of License; Notice of Denial of Application
26-3-7-18. Revocation, Expiration, or Suspension of License; Effect Upon Operation
26-3-7-19. Receipt of Grain; Ownership of Deposited Grain
26-3-7-20. Grain Owned by Licensee; Receipts; Transfer
26-3-7-21. Uniform Warehouse Receipts Act; Application to Transactions
26-3-7-22. Commingling of Grain
26-3-7-23. Return of Grain to Depositor
26-3-7-24. Duplicate Receipts; Restriction; Requisites; Bond
26-3-7-26.5. Deferred Pricing Agreement; Conditions; Penalties
26-3-7-28. Records and Accounts; Retention
26-3-7-29. Display of License or Permit; Schedule of Charges; Sign
26-3-7-30. Receipt Forms; Requests; Cost; Requisites for Accountability
26-3-7-31. Grain Shortages; Appointment of Receiver; Notice of Actions and Orders
26-3-7-32. Injunctions; Unlawful Removal of Grain; Temporary Restraining Orders
26-3-7-33. Examination of Warehouse; Fee; Expenses